Universe · entity

AXIOM INVESTORS LLC /DE

Institutional manager (13F) · CIK 1109147
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $8.4B
#IssuerValueShares
1NVIDIA CORPORATION$1.2B7,147,064
2ALPHABET INC$1.0B3,532,440
3JPMORGAN CHASE & CO.$840M2,856,017
4AMPHENOL CORP NEW$539M4,267,387
5MORGAN STANLEY$513M3,114,846
6ASML HLDG NV$501M379,428
7AMAZON COM INC$495M2,378,310
8GE AEROSPACE$430M1,513,654
9TAIWAN SEMICONDUCTOR MFG LTD$290M857,910
10GE VERNOVA INC$243M278,603
11BROADCOM INC$174M562,533
12APPLE INC$146M574,172
13TJX COS INC NEW$138M866,385
14MICROSOFT CORP$137M370,781
15META PLATFORMS INC$134M235,019
16HOWMET AEROSPACE INC$115M498,563
17ISHARES TR$109M1,207,900
18CURTISS WRIGHT CORP$104M153,309
19AERCAP HOLDINGS NV$95M693,081
20DANAHER CORPORATION$85M446,062
21HERSHEY CO$79M380,677
22CINTAS CORP$75M445,443
23TERADYNE INC$75M253,463
24EMBRAER S.A.$69M1,170,760
25MICRON TECHNOLOGY INC$67M198,200
26SOUTHERN COPPER CORP$59M343,756
27NU HLDGS LTD$58M4,036,626
28PROLOGIS INC.$54M411,395
29COSTCO WHSL CORP NEW$53M53,179
30CREDICORP LTD$45M134,140
31INSMED INC$39M239,447
32NOVA MEASURING INSTRUMENTS L$33M76,640
33ENSIGN GROUP INC$30M146,998
34RBC BEARINGS INC$29M52,633
35VISA INC$27M90,920
36CASEYS GEN STORES INC$26M36,365
37SPOTIFY TECHNOLOGY S A$26M54,145
38ISHARES TR$25M538,720
39ADVANCED ENERGY INDS$23M70,543
40FABRINET$21M40,874
41FIRSTCASH HOLDINGS INC$21M109,395
42AXON ENTERPRISE INC$20M47,464
43VIAVI SOLUTIONS INC$20M598,675
44VSE CORP$18M97,230
45NEXTPOWER INC$18M147,341
46MILLICOM INTL CELLULAR S A$16M219,922
47SPX TECHNOLOGIES INC$16M81,644
48STERLING INFRASTRUCTURE INC$16M39,471
49LITTELFUSE$16M46,820
50LIVE NATION ENTERTAINMENT IN$16M103,092
All filings on EDGAR ↗

Source: sec_edgar_13f · public regulatory · retrieved 2026-06-29. Public SEC data; no contact information.